Goldman Sachs The Callable ESG Deposit Plan – Issue 1

INVESTMENT DESCRIPTION

CURRENCY GBP

STRIKE DATE 21/01/2020

ISIN GS00SD000748

COUNTERPARTY Goldman Sachs International Bank

TYPE Deposit

RETURN & BARRIERS
Investment Structure: Callable Deposit Plan
Participation Rate: GBP = 300%
Callable Observations: Quarterly (First Observation at 24 months)
Coupon Rate: GBP = 2.00% per quarter (8.00% p.a.)
Capital Risk: None
Capital Protection: 100% Capital Protected

MATURITY DATE
28/01/2027

FINAL MATURITY DATE
28/01/2027